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UNITED STATES DISTRICT COURT
SOUTHERN DISTRICT OF OHIO
EASTERN DIVISION
IN RE: OHIO EXECUTIONPROTOCOL LITIGATION Case No. 2:11-cv-1016
JUDGE GREGORY L. FROST
Magistrate Judge Mark R. Abel
This document relates to: Ronald Phillips.
OPINION AND ORDER
This matter is before the Court for consideration of a motion for a stay of execution, a
temporary restraining order, and a preliminary injunction filed by Plaintiff Ronald Phillips (ECF
No. 339) and a memorandum in opposition filed by Defendants (ECF No. 359). The motion
presents the question of whether this Court believes that Ohio will not fulfill its duties under the
Constitution so that the Court should stop the scheduled November 14, 2013 execution of
Phillips. Because he has failed to meet his burden of proving that a stay is warranted, Ohio can
proceed to fulfill its lawful duty to execute Phillips.
I. Background1
This litigation is a 42 U.S.C. 1983 civil rights action brought by multiple inmates who
challenge various facets of the execution protocol used by the State of Ohio. Although this
litigation originated as a challenge to the protocol under the Eighth Amendment, the primary
focus of the action in recent years has been on claims that Ohios execution protocol and
1 The findings of fact related to this Opinion and Order are not conclusive given thatfindings of fact and conclusions of law made by a district court in granting a preliminary
injunction are not binding at a trial on the merits. United States v. Edward Rose & Sons, 384
F.3d. 258, 261 (6th Cir. 2004) (citing Univ. of Texas v. Camenisch, 451 U.S. 390, 395 (1981)).
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practices violate the Equal Protection Clause of the United States Constitution.2 History has
taught that these latter claims have not been without foundation.
Ohio has time and again failed to follow through on its own execution protocol. The
protocol is constitutional as written and executions are lawful, but the problem has been Ohios
repeated inability to do what it says it will do. As a result, this Court has dealt with inmate
challenges to the constitutionality of Ohios execution protocol for coming up on a decade.3
During that time, the litigation has morphed from focusing primarily on allegations of cruel and
unusual punishment to allegations of equal protection violations. And as this Court has stated
more than once, Ohio has been in a dubious cycle of defending often indefensible conduct,
subsequently reforming its protocol when called on that conduct, and then failing to follow
through on its own reforms. In re Ohio Execution Protocol Litig. (Lorraine), 840 F. Supp. 2d
1044, 1046 (S.D. Ohio 2012).
One result of this cycle has been continual consideration of requests to stay executions.
Such review has been mandated by the Sixth Circuit, which in reviewing a stay of execution
2 Many of the prior Orders of this Court necessarily inform todays decision. A recenthistory of this litigation and its often frustrating factual developments can be found in the
following Opinion and Orders, which this Court expressly incorporates herein by reference:In re
Ohio Execution Protocol Litigation (Hartman), 906 F. Supp. 2d 759 (S.D. Ohio 2012),In re
Ohio Execution Protocol Litigation (Wiles), 868 F. Supp. 2d 625 (S.D. Ohio 2012),In re Ohio
Execution Protocol Litigation (Lorraine), 840 F. Supp. 2d 1044 (S.D. Ohio 2012), Cooey
(Brooks) v. Kasich, Nos. 2:04-cv-1156, 2:09-cv-242, 2:09-cv-823, 2:10-cv-27, 2011 WL
5326141 (S.D. Ohio Nov. 4, 2011), and Cooey (Smith) v. Kasich, 801 F. Supp. 2d 623 (S.D.
Ohio 2011).3 The original execution protocol case dates back to 2004. Over the years, various
inmates filed additional cases. By agreement of the parties, the Court ultimately consolidated all
the execution protocol cases under case number 2:11-cv-1016 and closed the four original cases
on the docket so that the parties would be able to proceed under only one case number. SeeECF
No. 11.
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issued by this Court, stated that the court of appeals
agree[s] with the district court that the State should do what it agreed to do: in other
words it should adhere to the execution protocol it adopted. . . . [W]hether slight or
significant deviations from the protocol occur, the States ongoing conduct requires
the federal courts to monitor every execution on an ad hoc basis, because the Statecannot be trusted to fulfill its otherwise lawful duty to execute inmates sentenced to
death.
In re Ohio Execution Protocol Litig. (Lorraine), 671 F.3d 601, 602 (6th Cir. 2012). Guided by
this directivewhich the Sixth Circuit expressly based on this Courts July 8, 2011 Smith
Opinion and Order and its January 11, 2012LorraineOpinion and Order, and which the
Supreme Court of the United States declined to vacate inKasich v. Lorraine, 132 S.Ct. 1306
(2012)this Court has approached subsequent stay requests cognizant that the fundamental issue
is deceptively simple: once again, can Ohio be trusted?
At times, this Court has unfortunately had to answer that question in the negative. For
example, the Court issued a stay in a July 8, 2011 decision that set forth at length numerous
deviations by state actors from the state execution protocol then in effect, including core
deviations that subverted the key constitutional principles that control the execution process.
Cooey (Smith) v. Kasich, 801 F. Supp. 2d 623 (S.D. Ohio July 8, 2011). This Court enjoined
Ohio and any person acting on its behalf from implementing an order for the execution of
Plaintiff Kenneth Smith until further Order from the Court.
In response, Defendants revised Ohios execution protocol and practices. This resulted in
the iteration of the states execution protocol, 01-COM-11, that became effective on September
18, 2011. Ohio then proceeded to pursue the resumption of executions.
The next inmate seeking a stay via injunctive relief to come before this Court was
Reginald Brooks. Brooks stay motion came on for a hearing from October 31, 2011 through
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November 2, 2011. The Court took the motion under advisement and, after examining the new
protocol and the proffered evidence of Defendants practices in implementing that protocol,
issued a November 4, 2011 Opinion and Order that explained that [t]he dispositive questions . .
. have been whether [Brooks] is correct that Defendants routinely deviate from mandated or core
provisions set forth in the written protocol and whether [Brooks] has sufficiently proved that the
protocol fails to address sufficiently varied constitutional concerns. The answer to both
questions is no. Cooey (Brooks) v. Kasich, Nos. 2:04-cv-1156, 2:09-cv-242, 2:09-cv-823, 2:10-
cv-27, 2011 WL 5326141, at *12 (S.D. Ohio Nov. 4, 2011).
Notably, the crux of the rationale behind theBrooks decision was that he failed to present
evidence that he was likely to prove that Defendants are not doing what they say they are doing
in conducting executions under the current protocol. Of significance is that, unlike in the Smith
proceedings, Defendants were now saying that they got the message that their actions must
match their words. Trust us, Defendants said, we will not deviate from the core components of
the protocol. This Court accepted that contention. Trust us, Defendants continued, we will let
only the Director decide whether to allow any potentially permissible deviation from the non-
core components of the protocol. This Court also accepted that statement. Unfortunately,
Defendants once again fooled the Court.
On January 11, 2012, this Court issued an Opinion and Order granting Plaintiff Charles
Lorraines motion for a temporary restraining order staying his execution scheduled for January
18, 2012. In re Ohio Execution Protocol Litig. (Lorraine), 840 F. Supp. 2d 1044. The Court
identified three provisions of Ohios execution policy from which the state had deviated during
the November 15, 2011 execution of Brooks and emphasized that those deviations were
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constitutionally impermissible because they were not approved in the only manner in which
they could have been approved. Id. at 1053. This Court explained that the Director and only
the Director can approve non-core protocol deviations, which the Court held constituted a fifth
core component of the protocol. Id. The Court proceeded to criticize the state because it did not
appear from evidence presented during the Lorraine injunctive relief hearing that any of the three
Brooks deviations had been presented to the Director or that the state at any point thereafter had
recognized or corrected course. Such deviation from the fifth core component of the protocol
problematically suggested that the remaining four core components were open to similar
disregard. Id.(It is thus not the individual non-core deviations themselves or in the aggregate
that lead to this Courts rejection of substantial compliance. Rather, what is significant is the
overarching core concern implicated that makes the non-core deviations errors as opposed to
approved departures.). Although the Court issued what can be fairly characterized as a stinging
rebuke of Ohios continued failure to follow its own protocol, the Court made clear once again
that it had no interest in micro-managing Ohios executions. Id. at 1058.
The next plaintiff to seek a stay was Mark Wiles, an inmate who was set to be executed
on April 18, 2012. During a March 2012 hearing, the following witnesses testified: Team
Member # 23, Team Member # 17, Ohio Department of Rehabilitation and Correction
(ODRC) Planning Section Chief Ron Erdos, Southern Ohio Correctional Facility (SOCF)
Health Care Administrator Roseanna Clagg, Chillicothe Correctional Institution (CCI) Health
Care Administrator Beth Ann Higginbotham, CCI attending physician Dr. Gary Krisher, SOCF
Deputy Warden of Operations Michel Oppy, Pharmacological expert Dr. Mark Dershwitz, SOCF
Deputy Warden of Special Services Anthony Cadogan, CCI Warden Norman Robinson, ODRC
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Deputy Planning Section Chief James Goodman, ODRC Director Gary Mohr, Team Member
#10, and SOCF Warden Donald Morgan.4 Wiles and Defendants each presented approximately
one-hundred document-exhibits. This Court then held an additional telephone conference with
the parties on March 29, 2012, at which various evidentiary issues were resolved.
The hearing testimony presented post-Lorraine factual developments and indicated a
substantial development in this litigation. Director Mohr testified during the Wiles hearing that
he was upset upon reading the Courts decision regarding Lorraine. He explained that [t]his
is my 38th year, July 1st is my 38th year, and I have never read anything that was quite as
negative about an operation that I have been responsible for . . . . (Wiles Hrg Tr., Vol. VI, at
40.) Several days later, according to Director Mohr, ODRC East Regional Director Edwin
Voorhies and ODRC in-house counsel Greg Trout pitched to him the idea of implementing
Incident Command System (ICS) into Ohios execution process. As set forth in an ICS
training document that Wiles submitted during the hearing and about which Planning Section
Chief Ron Erdos testified:
The ICS is a management system designed to enable effective and efficient domestic
incident management by integrating a combination of facilities, equipment,
personnel, procedures, and communications operating within a common organization
structure, designed to enable effective and efficient domestic incident management.
A basic premise of ICS is that it is widely applicable. It is used to organize both
near-term and long-term field-level operations for a broad spectrum of emergencies,
from small to complex incidents, both natural and manmade. ICS is used by all
levels of governmentFederal, State, local, and tribalas well as by many private-
sector and nongovernmental organizations. ICS is also applicable across disciplines.
It is normally structured to facilitate activities in five major function areas:
command, operations, planning, logistics, and finance and administration.
4 By order of this Court and by continuing agreement of the parties, all references toOhios execution team members are once again by generic identifiers established by the parties
and employed to address anonymity and safety concerns.
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(Pl.s Ex. 72.)
Director Mohr testified that he thought Regional Director Voorhies suggestion of
implementing ICS was a great idea because [i]t is a uniform command system, which is
exactly what this Judge is telling us that this Director better be doing to micromanage this
process. (Wiles Hrg Tr. Vol. VI, at 42.) Director Mohr testified that Regional Director
Voorhies spent the weekend putting together a proposal (Defs. Ex. 45) that Director Mohr
reviewed on Monday, January 16, 2012. (Wiles Hrg Tr. Vol. VI, at 42-43.) Director Mohr
testified that after discussing the proposal in-house with ODRC Assistant Director Stephen
Huffman, SOCF Warden Donald Morgan, ODRC in-house counsel Greg Trout, and ODRC
Planning Section Chief Ron Erdos, as well as with the Governors legal counsel and staff, [m]y
decision was to implement ICS as a supporting part of the execution protocol. (Wiles Hrg Tr.
Vol. VI, at 45.)
For purposes of implementing ICS into Ohios execution process, it was decided early in
the planning process for the Webb execution that the time period leading up to each execution
would be divided into two operational periods. The first operational period would start at 8:00
a.m. approximately thirty (30) days out from a scheduled execution date and conclude at 7:00
a.m. on the day preceding that scheduled execution date. The second operational period would
begin at 7:00 a.m. on the day preceding the scheduled execution date and conclude at 1:00 p.m.
the next day. Thus, by way of illustration, the Webb execution, deemed an incident in ICS
terminology, was scheduled for February 22, 2012, at 10:00 a.m. The first operational period
began at 8:00 a.m. on January 23, 2012, and concluded at 7:00 a.m. on February 21, 2012.
(Wiles Hrg Defs. Ex. 4.) The second operational period began at 7:00 a.m. on February 21,
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2012, and concluded at 1:00 p.m. on February 22, 2012. (Wiles Hrg Defs. Ex. 18.)
According to the testimony and evidence, each operational period has its own distinct
organizational structure. For each operational period of every execution, Director Mohr serves
as the Incident Commander (IC). According to Director Mohrs testimony, this means that he
would be ultimately responsible for approving the objectives, approving the incident action plan
and insuring that the resources are appropriate to carry out that incident action plan. (Wiles
Hrg Tr. Vol. VI, at 46.) Turning again to the incident Webb execution, the organizational
structure was as follows: Director Mohr served as the IC. His command staff consisted of
Assistant Director Stephen Huffman serving as the Deputy IC; Melissa Adkins serving as the
Recorder; JoEllen Smith serving as the Public Information Officer; and ODRC Chief Counsel
Greg Trout serving as Safety Officer. Beneath the IC and his command staff, there existed four
sections: Operations, Planning, Finance, and Administration. The latter two contained no
personnel. The Planning Section was headed by ODRC Special Operations Commander Ron
Erdos serving as Planning Section Chief.
The Operations Section for the first operational period was headed by Regional Director
Edwin Voorhies serving as Operations Section Chief. Serving under Operations Section Chief
Voorhies was SOCF Warden Donald Morgan, filling the role of the supervisor of all operations
at SOCF for the first operational period. Beneath Warden Morgan was Team Member # 10, the
Execution Team Leader, serving as the execution team task force leader. During the first
operational period, the primary activities assigned to SOCF personnel are the carrying out of
weekly execution rehearsals, as required by Section VI(B)(4) of Ohios execution protocol with
Team Member # 10 documenting among other matters attendance and absences, and reporting
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the same to SOCF Warden Morgan. Warden Morgan would in turn recount those matters in
detail during weekly meetings involving the IC, the ICs command staff, SOCF personnel, and
CCI personnel.
Also serving under Operations Section Chief Voorhies was CCI Warden Norm Robinson,
filling the role of the supervisor of all operations at CCI for the first operational period. Beneath
Warden Robinson were Dr. Gary Krisher, serving as the Medical Team Task Force Leader, and
Rebecca Casto, serving as the Mental Health Task Force Leader. Eventually, a third task force
was created called the Observation/Watch Task Force, with J. Netter serving as the Task Force
Leader. (Wiles Hrg Defs. Ex. 53, at 8.) According to documents, the Observation/Watch team
will be tasked with moving the inmate to a new housing assignment approximately 72 hours
prior to the scheduled execution, maintaining constant watch over the inmate, and completing a
constant watch log. Dr. Krishers task force consisted of Nurse Beth Ann Higginbotham, the
CCI Health Care Administrator (HCA). Ms. Castos task force included Dr. Jerome Gotthardt,
CCI staff psychologist. During the first operational period, Ohios execution policy requires
CCI personnel to perform a number of tasks, including but not limited to: providing notification
of the confirmed execution date; performing specified hands-on vein and physical assessments,
medical chart review, and mental health assessments, with each documented in the inmates
medical chart and any problems being reported immediate to the CCI Warden and SOCF
Warden; and ensuring completion of the Execution Information Release form.
The first operational period was concluded by demobilization of the sections and units to
which tasks had been assigned upon completion of those tasks. Planning Section Chief Ron
Erdos was responsible for Demobilization, which involved conducting debriefing sessions,
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followed by the collection, review, and maintaining of documentation generated by the sections
and units in completing their assigned tasks, followed finally by the release of the personnel.
(Wiles Hrg Defs. Ex. 17.)5
For the second operational period of the incident Webb execution, the organization
structure was as follows: Director Mohr served as the IC. His command staff consisted of
Assistant Director Stephen Huffman serving as the Deputy IC; Captain William Cool serving as
the Recorder; JoEllen Smith serving as the Public Information Officer; Regional Director Edwin
Voorhies serving as Safety Officer; and Roseanna Clagg handling Prison Management. (Wiles
Hrg Defs. Ex. 20, at 176.) Beneath the IC and his command staff, there existed four sections:
Planning, Logistics, Operations, and Finance. The Finance Section contained no personnel. The
Planning Section was headed by ODRC Special Operations Commander Ron Erdos serving as
Planning Section Chief. James Goodman served as Deputy Planning Section Chief, while
Charlie Miller and Brenda Purtee were assigned to the Situation Unit.
The Logistics Section was headed by SOCF Deputy Warden Anthony Cadogan serving
as Logistics Section Chief. Under the service unit within the Logistics Section, Chuck Bobst
headed the communications unit and Sean Taylor headed the employee/inmate support services
unit.
The Operations Section for the second operational period was headed by SOCF Warden
5 During the early stages of implementing ICS into Ohios execution process, the planwas to have three or four operational periods leading up to a scheduled execution. Ultimately
the state decided that there would be only two operational periods: the first capturing
approximately thirty days preceding a scheduled execution and the second consisting of
approximately twenty-four hours preceding and following that scheduled execution. (Wiles Hrg
Tr. Vol. II, at 210-11.)
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Donald Morgan serving as Operations Section Chief. SOCF Deputy Warden Michel Oppy
served as the Deputy Operations Section Chief. The Operations Section contained several
divisions that were staffed with personnel. Team Member # 10, the Execution Team Leader,
served as the Task Force leader for the Execution Strike Force/Task Force. His division
included Team Member # 11. Jay Debold served as the Task Force leader for Transport.
SOCFs Health Care Administrator, Rosie Clagg, served as the Medical Task Force Leader.
Team Member # 23 served as the Task Force Leader for the medical team members of the
execution team. Finally, Mike Williams served as the Mental Health Task Force Leader.
The initial step that Director Mohr took to implement ICS into the execution process
consisted of a planning meeting that took place on January 19, 2012. (Defs. Ex. 3, at 234.)
According to Director Mohr, we didnt have a lot of time. (Wiles Hrg Tr. Vol. VI, at 45.) As
Director Mohr explained, with the execution of Michael Webb scheduled for February 22, 2012,
we scheduled a planning meeting to launch this [ICS] process with the Webb execution. (Id.
at 46.) The January 19, 2012 planning meeting included via telephonic conference the ICs
Command Staff, CCI personnel, and SOCF personnel. From this point on, meetings were
conducted no less than once per week. At everymeeting, according to testimony, whether it is a
planning meeting or a status briefing, Director Mohr has emphasized his expectation of strict
compliance with Ohios execution policy, his expectation that no one, including himself, could
deviate or authorize a deviation from the four core components listed on page 3 of the protocol,
and his expectation that no one could deviate or authorize a protocol deviation from any non-
core component without Director Mohrs approval. Only the Director can approve a non-core
deviation.
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Implementing ICS into Ohios execution process involved (and will continue to involve)
the following procedures. Turning again to the Webb execution by way of illustration, Planning
Section Chief Ron Erdos began the process by developing a Formal Written Incident Action Plan
and obtaining the ICs approval of that plan. (Wiles Hrg Defs. Exhs. 4 and 5.) The documents
he prepared included a form called the ICS 202 identifying objectives for the incident. Those
objectives were to prepare for the humane execution of Inmate Michael Webb and to conduct
appropriate medical and mental health evaluations and reviews no later than 21 days before the
scheduled deadline for those tasks, January 31, 2012. (Wiles Hrg Defs. Ex. 5.) Erdos also
prepared a form called the ICS 203 listing the organization summary for the first operational
period, a form called the ICS 205 setting forth the communication plan, and a form called the
ICS 206 setting forth the medical plan. Task Force members received their assignments on
forms called ICS 204s. (Wiles Hrg Defs. Ex. 7.) Each sections activities were documented
on forms called ICS 214 Unit Logs. (Wiles Hrg Defs. Exhs. 10, 11, 12, 13, 14.) Section and
Division chiefs communicated with each other, as well as to the IC and command staff, using
forms called ICS 213s, documenting their progress on assigned tasks. (Wiles Hrg Defs. Exhs.
15 and 16.)
Returning to the initial planning meeting that took place on January 19, 2012, Director
Mohr explained that the immediate focus turned to certain tasks that the protocol required to be
carried out thirty (30) days prior to the scheduled execution datenamely, CCI Warden Robinson
providing notification to the IC, as well as numerous other parties identified in Section VI.(B)(1)
of the protocol, of a firm date for the scheduled execution of an inmate and the CCI staff
moving the inmate to 30-day watch status for purposes of ensuring the inmates safety.
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Attention focused also on the tasks that the protocol required to be carried out no later than
twenty-one (21) days in advance of a scheduled execution. According to Director Mohr:
[T]he physical hands-on vein assessment, the medical chart review and assessment,
and the mental health assessment are to be done within 21 days. So, we talked aboutcompletion of those three to four days in advance of that 21-day period, which would
mark our next status briefing at that point to insure that we had an update to confirm
that those were done and documentation to support the fact that they were done.
(Wiles Hrg Tr. Vol. VI, at 61.) The planning and preparation process for the incident Webb
execution also included conducting and documenting the execution teams weekly rehearsals at
SOCFspecifically, one per week for four weeks preceding the scheduled execution date. (Wiles
Hrg Tr. Vol. VI, at 62-63; Wiles Hrg Defs. Ex. 1, at 6.)
Next in the process was a status briefing on January 23, 2012, at which time Director
Mohr approved the written incident action plan for the first operational period of the incident
Webb execution. (Wiles Hrg Tr. Vol. VI, at 64.) On that same date, CCI Warden Robinson
provided the 30-day notification required by 01-COM-11 and advised the IC of the same via an
ICS 213 form. (Wiles Hrg Defs. Ex. 1, at 5; Wiles Hrg Tr. Vol. VI, at 66-67; Wiles Hrg
Defs. Ex. 16, at 294.) The following day, January 24, 2012, CCI Warden Robinson sent another
ICS 213 form notifying the IC that appropriate CCI personnel had completed all of the
assessments and documentation required by the policyseveral days in advance of the 21-day
deadline, as the IC and Warden Robinson had discussed at the initial planning meeting.
However, because CCI had completed those tasks before they had actually received their ICS
204s specifying their assigned tasks, Director Mohr directed them to re-do all of those tasks
afterthey received their 204s. (Wiles Hrg Tr. Vol. VI, at 69.)
Before CCI could re-do those tasks, this Court issued a January 26, 2012 stay of the
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execution of Michael Webb, which Defendants did not oppose. Instead of aborting the process
and planning for the next scheduled execution, Director Mohr decided to continue the process
for Webb as if the execution were still scheduled to be carried out on February 22, 2012. Of that
decision, Director Mohr explained:
Everyone involved in this process, including this Director, needed to be
trained and needed additional exposure and training as we were, one, insuring that
we were compliant with the policy, and two, continuing to get used to some of the
supporting documents like the checklist, and three, with incident command being
made available as a supporting protocol, we all needed practice.
(Wiles Hrg Tr. Vol. VI, at 55.)
Proceeding with the incident Webb execution as a training exercise, CCI re-did the
assessments and documentation required by the protocol to be completed no later than 21 days in
advance of the scheduled execution. (Wiles Hrg Defs. Ex. 16, at 300.) Because the incident
had become a training exercise, the CCI personnel simulated those tasks rather than performing
them again on an inmate who no longer had an imminent execution date. (Wiles Hrg Tr. Vol.
IV, at 184, 189; Wiles Hrg Tr. Vol. VI, at 70.) Similarly, all of the resulting documentation
included notations clearly reflecting that they were a part of training. (Wiles Hrg Defs. Ex.
16, at 302-04.) One of the last tasks that the protocol requires CCI, or the parent institution, to
carry out consists of the warden of the parent institution ensuring that the condemned inmate
completes an Execution Information Releasea form ODRC 1808. (Wiles Hrg Defs. Ex. 1,
at 7.) CCI Warden Robinson sent an ICS 213 message on February 14, 2012, indicating that
CCI had completed that task. (Wiles Hrg Defs. Ex. 14, at 279.)
Weekly meetings continued, with status briefings held on January 27, 2012, February 1,
2012, and February 7, 2012. Whenever possible, status briefings were conducted immediately
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preceding the execution rehearsals. As Director Mohr explained, it exposes more people,
number one, and two, any direction that may come out can be conveyed to the entire team, any
of that information, just enhanced communication. (Wiles Hrg Tr. Vol. VI, at 75.) Thus,
Director Mohr participated in many of the status briefings from SOCF in Lucasville, Ohio, rather
than the central office in Columbus, Ohio. Another status briefing and rehearsal were conducted
on February 15, 2012. That status briefing, according to Director Mohr, included the closing of
the Chillicothe loop because CCI had completed all tasks that Ohios execution policy
required them to complete. (Wiles Hrg Tr. Vol. VI, at 76.)
The next step that occurred in the incident Webb execution training exercise was a
planning meeting on February 17, 2012, to launch the second operational period that would
commence on February 21, 2012, at approximately 7:00 a.m. (Wiles Hrg Tr. Vol. VI, at 77-78;
Wiles Hrg Defs. Exhs. 18-23.) During that meeting, Planning Section Chief Ron Erdos
presented a written incident action plan that he had developed and that Director Mohr had
approved. Director Mohr emphasized as he did at every meeting his expectations of strict
compliance with the protocol. Everyone proceeded to discuss in detail the events that would
take place at SOCF for the two days comprising the second operational periodFebruary 21 and
February 22, 2012. (Wiles Hrg Tr. Vol. VI, at 81.) Further, Director Mohr approved several
changes, the first of which consisted of moving Deputy Warden Oppy, who was serving as
Warden Morgans back-up or shadow, from the Command Center to the Death House for
execution rehearsals and actual executions. The second change involved restricting Team
Member # 21 from participating in the February 22, 2012 rehearsal, due to the fact that
contractual issues had prohibited Team Member # 21a medical team memberfrom
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established that two execution run-throughs occurred on February 22, 2012, with the first being
the full-scale scenario involving the Plan A intravenous administration of drugs (Wiles Hrg
Defs. Ex. 1, at 13-14) that concluded with the simulation of a funeral director taking possession
of the inmates body, and a second more informal run-through during which the team practiced
thePlan B intramuscular administration of drugs (Wiles Hrg Defs. Ex. 1, at 10, 14-15).
The February 22, 2012 Webb execution training exercise concluded with a debriefing and
after action review. (Wiles Hrg Defs. Ex. 44, at 197.) SOCF Warden Morgan subsequently
sent to Director Mohr an After-Action Review report dated February 28, 2012. (Wiles Hrg
Defs. Ex. 48.) In an email from Director Mohr to SOCF Warden Morgan dated March 1, 2012,
Director Mohr stated that he accepted Warden Morgans February 28, 2012 report with the
exception of two points. As Director Mohr set forth:
1. Please include in your After Action Report the Confirmed Information
Briefing held prior to the commencement of the execution procedure at
which time I confirmed that the elements contained in the policy had been
completed, reviewed and approved. This planned meeting that is to take
place prior to the commencement of each execution and become a regular
step in our protocol and confirmed in our after action report.
2. A security challenge was introduced prior to the rehearsal for Webb directing
the Drug Administration Task Force Team Leader #23 not to call into the
command center to report the drug preparation. In fact, at the completion of
the drugs being prepared, Drug Administrator #17 noticed that the Task
Force Leader #23 did not report as he should and advised the Team Leader
that the task had occurred and that it should be reported to the Command
Center. The Team Leader called the preparation of the drugs to the
Command Center. Please revise the After Action Report to reflect that I
approved the variation in reporting the drug administrators preparation of
the drugs as a result of the security challenge, that the Team Leader called itin at the direction of Drug Administrator #17 and that the team leader
communication is approved by the Director.
(Wiles Hrg Defs. Ex. 49, at 1.) SOCF Warden Morgan accordingly submitted a revised After-
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Action Review report dated March 6, 2012. (Wiles Hrg Defs. Ex. 50.)
Testimony and evidence established that all involved personnel, from the IC and his
command staff, to the CCI personnel, to the SOCF personnel, currently were within the first
operational period preceding the Mark Wiles execution scheduled for 10:00 a.m. on April 18,
2012. The IC and Planning Section Chief conducted a planning meeting on Friday, March 16,
2012, involving all personnel from the command staff, CCI, and SOCF. The IC and Planning
Section Chief introduced a written incident action plan which the IC subsequently approved on
March 16, 2012, at 12:30 p.m. (Wiles Hrg Defs. Ex. 53, at 1.) The planning meeting covered
the incident objectives, the organizational summary list, the ICS 204 task force assignment lists,
the communications plan, and the medical plan. (Wiles Hrg Defs. Ex. 53, at 1-15.) All
involved personnel then participated in a status briefing the following MondayMarch 19,
2012at which time they gauged their progress on completion of tasks required by the protocol
and assigned to task force members in the ICS 204 forms.
The first operational period for the Wiles execution thus began on March 19, 2012, and
concluded on April 17, 2012. Testimony and evidence established that certain tasks required by
Ohios execution policy leading up to the April 18, 2012 execution date had been completed. At
SOCF, the execution team had been conducting the weekly rehearsals required in Section
VI(B)(4). of the execution policy. (Wiles Hrg Defs. Ex. 1, at 6.)
CCI Warden Norm Robinson, approximately 30 days prior to the scheduled execution,
notified Director Mohr that a firm dateApril 18, 2012is scheduled for inmate Mark Wiles
execution. (Wiles Hrg Defs. Ex. 1, at 5.) CCI Warden Robinson sent a copy of that
notification to Planning Section Chief Ron Erdos, who subsequently sent notification to the
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Regional Director, DRC Chief Counsel, Assistant Director, APA, Ohio State Highway Patrol
(Portsmouth and Jackson), and the Office of Victim Services. Following an impromptu
telephone conference on Friday March 23, 2012, involving the IC, Erdos, Robinson and others,
CCI Warden Robinson subsequently sent the notification again to the Regional Director, DRC
Chief Counsel, Assistant Director, APA, Ohio State Highway Patrol (Portsmouth and Jackson),
and the Office of Victim Services. Further, the hands-on vein assessment, medical chart review
and physical assessment, and the mental health assessment had been conducted at CCI, with
documentation of the same indicated in Wiles medical chart and no problems detected that might
have posed a problem carrying out the execution or require contingency plans. (Wiles Hrg
Defs. Ex. 1, at 5.)
Based on the foregoing record and in light of the constitutional concerns involved, yet
remaining cognizant of Ohios long history of conducting bizarrely inept execution proceedings,
the Court with some skeptical trepidation denied Wiles motion for a stay. (ECF Nos. 107, 108.)
Much to the credit of the state actors involved, Ohio proceeded to execute Wiles without
constitutional infirmity.
The month following that execution, Abdul Awkal and John Eley, two other plaintiffs,
also sought to stay their respective executions. (ECF No. 111.) This Court denied these stay
requests on the grounds that both men had failed to plead the claims upon which they dubiously
relied in pursuing injunctive relief. (ECF No. 116.) Awkal and Eley unsuccessfully sought
reconsideration of the denial. (ECF No. 120.) Ohio ultimately declined to carry out these
inmates scheduled executions.
The next execution actually carried out involved Donald Palmer. Although not a party to
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this litigation, Palmer had lodged a motion to intervene with this Court shortly before his
execution date in the event that issues arose that would prompt him to seek a stay. (ECF No.
123.) Palmer did not pursue a stay, however, and Ohio executed him on September 20, 2012.
(ECF No. 125.)
The next inmate set for execution, Brett Hartman, did seek a stay. (ECF No. 130.)
Following a hearing on November 1, 2012, this Court concluded that Ohio does not have a
perfect execution system, but it has a constitutional system that it appears to be following. In re
Ohio Execution Protocol Litigation (Hartman), 906 F. Supp. 2d 759 (S.D. Ohio 2012)
Accordingly, the Court denied Hartmans motion for a stay of execution and on November 13,
2012, the State of Ohio executed Hartman.
The State of Ohio next intended to execute Ronald Post on January 16, 2013. Post filed a
November 19, 2012 motion requesting a stay of his execution. (ECF No. 139.) On December
17, 2012, days before the Court was set to conduct a hearing on Posts motion, Ohio Governor
John Kasich commuted Posts death sentence to life in prison without parole. (ECF No. 149.)
Post died in prison seven months later.
The next inmate set for execution, Frederick Treesh, was a plaintiff in this litigation but
did not seek a stay of execution. The State of Ohio executed him on March 6, 2013.
Steven Smith was the next inmate set for execution. Although a plaintiff in this
litigation, Smith also did not request a stay of execution. The State of Ohio executed him on
May 1, 2013.
The next inmate scheduled for execution, Billy Slagle, was scheduled to be executed on
August 7, 2013. Slagle was a plaintiff in this litigation but did not request a stay of execution.
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Instead, Slagle committed suicide in his prison cell at approximately 5:00 a.m. on August 4,
2013three days before he was to be executed and one hour before he was to fall under constant
observation by ODRC personnel.
The next inmate set for execution, Harry Mitts, Jr., was a plaintiff in this litigation but did
not seek a stay of execution. The State of Ohio executed him on September 25, 2013.
It is important to note that Ohio apparently accomplished all of these executions without
problems of the sort that had periodically plagued the execution process. Much to their credit,
Defendants were apparently following the protocol and accomplishing their tasks without
running afoul of constitutional concerns.
Ohios supply of pentobarbital then expired. Presumably as a result, Ohio issued a new
version of its execution policy, 01-COM-11, with an effective date of October 10, 2013. (ECF
No. 323.) That protocol largely mirrors the protocol dated September 18, 2011, but also presents
several notable changes, including but not limited to the following. First, the new written
protocol now includes a fifth core requirementnamely an express provision of what previously
had been an implicit understanding that only the Director can authorize a variation from the
procedures in the policy but not a variation from the other four core requirements. (Id. at Page
ID 9570.) Another related change is that the new protocol now expressly provides that
Director, as used in the policy, refers to the current Director orthe Directors designee. (Id. at
Page ID 9569.) The new policy thus makes clear that the Directors designee has the authority to
perform all of the duties and functions that the policy authorizes the Director to perform.
Another notable change in the new policy now permits ODRC to obtain execution drugs from a
compounding facility. (Id. at Page ID 9574-75, 9578.) Finally, the new policy for the first time
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allows ODRC to carry out an execution with an intravenousadministration of midazolam and
hydromorphone, in the event that a sufficient quantity of pentobarbital is not available. (Id. at
Page ID 9575.)
The first inmate who is set for execution under the new protocol is Ronald Phillips, who
has an execution scheduled for November 14, 2013. Phillips challenges application of the new
protocol via his Second Amended Complaint (ECF No. 357), and he seeks to stay his execution
via a motion for a stay of execution, a temporary restraining order, and a preliminary injunction
(ECF No. 339). Following the filing of that motion, this Court held an informal preliminary
telephone conference with the parties on October 29, 2013, pursuant to S. D. Ohio Civ. R.
65.1(a). (ECF No. 341.) That conference resulted in an oral hearing that took place beginning
on November 1, 2012, and concluding on November 4, 2013. In addition to oral argument, the
Court heard testimony from Team Member # 17, Phillips, Director Mohr, Morgan, Casto, Dr.
Faisal Ahmed, Higginbotham, prisons suicide expert Lindsey Hayes, and Voorhies that covered
the first operational phase for Phillips, the events surrounding the Slagle suicide and
investigation, and related occurrences. At the conclusion of the evidentiary hearing, this Court
took the matter under advisement.
II. Injunctive Relief
A. Standard Involved
In considering whether injunctive relief staying Phillips execution is warranted, this
Court must consider (1) whether Phillips has demonstrated a strong likelihood of success on the
merits; (2) whether Phillips will suffer irreparable injury in the absence of equitable relief; (3)
whether a stay would cause substantial harm to others; and (4) whether the public interest is best
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served by granting a stay. Cooey v. Strickland, 589 F.3d 210, 218 (6th Cir. 2009) (citing
Workman v. Bredesen, 486 F.3d 896, 905 (6th Cir. 2007);Ne. Ohio Coal. for Homeless & Serv.
EmployeesInt'l Union, Local 1199 v. Blackwell, 467 F.3d 999, 1009 (6th Cir. 2006)). The Sixth
Circuit has explained that [t]hese factors are not prerequisites that must be met, but are
interrelated considerations that must be balanced together. Id.(quotingMich. Coal. of
Radioactive Material Users, Inc. v. Griepentrog, 945 F.2d 150, 153 (6th Cir. 1991)).
B. Scope of Inquiry
Are you lying now or were you lying then?
Defendants counsel began his November 4, 2013 closing argument with this question,
which he stated was inapplicable to the inquiry this Court must undertake in regard to Phillips
motion for a stay. Phillips disagrees, targeting recent testimony and other evidence with often
conflicting prior testimony and other evidence. The entire premise underlying Phillips stay
request is that Defendants cannot be trusted to implement Ohios protocol in a constitutional
way; in fact, Phillips argues, the new protocol is inherently unconstitutional. But although both
sides agree that the stay request essentially comes down to an issue of trust, the cases they
presented at the hearing often could not have been more unrelated. At times it seemed as if
Defendants were defending against an entirely different case than the one Phillips was pursuing,
which too often resulted in unnecessary argument and testimony on wholly irrelevant issues.
Thus, as a threshold concern, this Court must note what is and what is not before the Court
today. This is necessary for at least three global reasons.
First, review of Phillipsmotion alone would almost invariably mislead anyone
conducting such an inquiry into thinking that Phillips stay request involves claims and
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arguments that either the circumstances of the plan for executing Phillips have mooted or that
Phillips has elected not to pursue. Phillips filed his motion approximately thirty minutes after
Defendants had filed a notice indicating that they would be utilizing intravenous administration
of midazolam and hydromorphone to execute Phillips. (ECF No. 338.) Counsel for Phillips had
therefore devoted considerable time and pages to arguing points that the notice rendered
irrelevant. Rather than delay proceedings by taking time to re-draft the motion, counsel
understandably proceeded to file the document with the last-minute addition of a footnote
recognizing the timing issue and suggesting that not all of the motion was relevant. During the
course of the hearing, Phillips then narrowed the scope of his arguments for a stay based on the
clarified circumstances provided by the notice and in light of the evidence presented.
Second, anyone who watched the entirety of the Phillips stay hearing or who reviews the
hearing transcript would perhaps be confused by the lack of focus that pervaded much of the
proceedings. As suggested above, the partiesparticularly Defendantspresented hours of
testimony on issues that had become moot or that Phillips motion never raised in the first place.
Some of this might have been the result of Defendants thinking that they had to build a fuller
record on ICS in case Phillips execution makes its way to the court of appeals, despite the fact
that this Courts prior decisions fully addressed ICS and the fact that Phillips arguments only
reached a portion of that system. Much of Defendants litigation strategy escapes this Court.
Third, this Court wants to be clear in what it is and what it is not addressing herein so
that no party misunderstands the limitations of todays Opinion and Order.
Not at issue is whether Ohio can execute Phillips. The state can, provided it does so in a
constitutional manner. Therefore, todays Opinion and Order cannot be concerned with the
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underlying circumstances of Phillips horrific crime or the settled issue of whether his death
sentence is just.
Todays decision is also largely not about the Eighth Amendment. Phillips stipulation
during his hearing that he was withdrawing his pursuit of relief under the Eighth Amendment in
regard to midazolam and hydromorphone removed from the discussion inquiries about the use
and effects of these drugs, the intravenous administration of these drugs, and how Ohio obtained
these drugs. Several points accompany this conclusion.
Phillips argument that Ohio has changed its position on the potential use of expired or
imported drugs is largely inconsequential to his motion. Previously in a precursor case to the
captioned action, this Court addressed another inmates challenge to the potential use of expired
or imported drugs. The Court explained:
Testimony and other evidence pointed to the fact that unexpired drugs remain in the
prison safe. Pharmacy manager Denise Dean explained that these drugs remained
in the safe at least in part in case there was a need to prove that Ohio still had the
expired drugs and had not used them in an execution. There is no evidence that Ohio
has used expired drugs as part of an execution, and the Court accepts Mohrs
testimony that Ohio will not use expired drugs even if the written protocol does notexplicitly preclude such action.
This last portion of testimony is another unwritten practice or policy that
serves to supplement the written protocol, and Ohio is now bound by the
representation its agent has made to this Court. The same applies to Mohrs
representation that Ohio will not use imported drugs. Granted, Mohr testified that
there were no unwritten policies that were part of the execution policy, but this
subjective assessment turns on perhaps a different use of terminology than that
applied by this Court. Mohr also testified that the use of expired drugs is
unconscionable to him and would fly in the face of every policy behind the
protocol. Numerous instances of state practices described herein qualify as suchunwritten policies to this Court, some of which aid Defendants. Whether Mohr
labels them unwritten policies is not important. What matters is that Ohio follows
them and that they serve the interests of constitutionality, not detract from these
interests.
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In light of the fact that the issue of Ohios past use of expired drugs has been
laid to rest and the binding concession presented to this Court, it would make sense
for Ohio to promptly destroy the expired drugs and wholly obviate the risk that
human error in recordkeeping or action will render this drugs of future concern in
this or similar litigation.
Cooey (Brooks) v. Kasich, Nos. 2:04-cv-1156, 2:09-cv-242, 2:09-cv-823, 2:10-cv-27, 2011 WL
5326141, at *8-9 (S.D. Ohio Nov. 4, 2011). The referenced prior testimony by Director Mohr is
notable because he testified at the Phillips hearing that he did not know whether he had ever
testified that Ohio would not use expired or imported drugs or that the Court held as such. The
forgotten or abandoned representations also do not square with a recent discovery response by
Director Mohr in which he apparently opens the door to the use of expired or imported drugs.
Voorhies has also testified in the past regarding expired or imported drugs. In the
Opinion and Order related to Kenneth Smiths stay request, this Court summarized Voorhies
hearing testimony on these issues as follows:
Questioning then turned to the procedures Ohio has employed to obtain
sodium thiopental for executions. Voorhies pointed to Defendants Exhibit A as
giving a warden knowledge of his authority to obtain the execution drug. He
explained the procurement process and its paperwork and then turned to the fact thatOhio had considered and rejected various alternatives for obtaining additional drugs.
One such avenue was using imported drugs due to the concern that the drugs would
lack FDA approval. He also testified that Ohio had also rejected the option of
compounding drugs or using expired drugs that had been given an extended
expiration date.
Cooey (Smith) v. Kasich, 801 F. Supp. 2d 623, 640-41 (S.D. Ohio 2011). Voorhies
understanding of Ohios position thus aligned with Director Mohrs now-forgotten
understanding.
Phillips argues that the conflicting evidence is significant because itperhaps indicates a
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newfound willingness by Ohio to use expired or imported drugs.6 Implicit in this possibility is
the debate over whether the effectiveness of such categories of drugs presents a substantial risk
of severe pain issue that would constitute a cruel and unusual punishment infirmity. But that is a
potential issue that falls under the Eighth Amendment, and, as such, remains an issue for another
day and in all likelihood for another inmate.
The only part of the apparent change in position that is relevant to todays equal
protection inquiry is that, according to Phillips, it represents yet another example of Defendants
telling this Court one thing and later backtracking on the representation. Director Mohrs
testimony thus only speaks to Phillips cumulative mistrust argument, which the Court shall
discuss below.
This same conclusion applies to the issue of compounding. The new protocol expressly
recognizes compounding as viable. This represents a departure from Voorhies Smith hearing
testimony that Ohio had rejected the option of using compounded drugs. As with most of the
issues discussed in this section, the Court cannot say that the change matters absent evidence in
the record explaining how and why it affects any constitutional concern. There is no such
evidence before this Court. But any potential issue as to whether compounding presents a
substantial risk of severe pain is an Eighth Amendment issue that falls outside todays equal
protection inquiry. Only the fact that Ohio has changed its mind in regard to compounding is
relevant to that Fourteenth Amendment inquiry as discussed below.
6 There is little reason to believe that expired drugs have been or will be used. If Ohiohas indeed changed its position, the change has not been communicated to a key member of the
medical team. Team Member # 17, who has participated in the prior thirty-odd executions,
denied in his testimony that he has or ever would use expired drugs.
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Similarly outside the scope of the relevant analysis is any possible lack of training or
instruction on the intravenous administration of midazolam and hydromorphone (but not
rehearsals, because there have been such specific rehearsals). Director Mohr testified that he had
received training on these drugs. Other testimony indicated that because the recent change
permitting the intravenous administration of the two drugs together fell after this years annual
training cycle, the execution team had received little to no training or instruction on possible
issues surrounding this method of execution. Team Member # 17 testified in fact that there had
been no instruction on whether the drugs would work when administered in this manner, as
opposed to the training he had received on use of these drugs in a Plan B intramuscular injection,
but that he expected that death would result in anywhere from one to thirty minutes after
intravenous administration. These may or may not ultimately prove to be matters of concern, but
they directly target Eighth Amendment concerns and not the equal protection issues currently
before the Court. The only indirect relevance of any lack of training or instruction is the
inference Phillips suggests, which is that Ohio is not doing what it says it would do by providing
proper and sufficient training. The additional inference Phillips asks the Court to draw from that
inference is that if Defendants are not to be trusted in this regard, they are not to be trusted
overall. This Court shall discuss any viable application of such inferences to todays equal
protection inquiry in Section II(C)(2) below.
The last point warranting mention is how Phillips stipulation places outside todays
inquiry at least one component of his argument that the evaluations that the protocol requires he
undergo were insufficient. Section VI(B)(3)(a) of the protocol provides for a medical evaluation
of the inmate who is to be executed approximately twenty-one days prior to the execution. This
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evaluation includes a hands-on vein assessment and a reviewof the inmates medical chart, or
file, to identify any unique factors that may impact the manner of execution. Similarly, Section
VI(B)(3)(e) of the protocol provides for a mental health evaluation of the inmate approximately
twenty-one days prior to the execution. This evaluation targets any mental issues that could
affect the execution process. Finally, Section VI(B)(3)(f) of the protocol provides for one or
more evaluations of the inmate by mental health staffbeginning approximately thirty days from
the execution and lasting until the inmates transfer from death row to SOCF. This section
targets the appropriate observation level for an inmate, the appropriate housing status, and the
appropriate level of access to personal property.
Phillips attacks the sufficiency of the evaluations that occurred, even asserting that the
mental health evaluations had never taken place. In their closing argument, Defendants asserted
that because there had been no expert testimony, Phillips could not complain about the
sufficiency of the evaluations but could instead complain only about when they were done. This
is of course a ridiculous argument. The more rational and narrow point is that because of his
stipulation, Phillips cannot complain about the sufficiency of the evaluations for Eighth
Amendment purposes as they relate to the intravenous administration of midazolam and
hydromorphone.
To the extent that it can be said that Phillips challenges the sufficiency of the physical,
chart history, and mental health evaluations for Eighth Amendment purposes not in relation to
the specific intravenous administration of midazolam and hydromorphone, Phillips drug-
centered stipulation arguably does not reach such an issue. This in turn means that a component
of an Eighth Amendment argument remains as a potential basis for a stay. What remains is that
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if a failure to conduct the required evaluations leads to a substantial risk of severe pain that arises
independent of the execution drugs used, Phillips may be entitled to a stay on Eighth
Amendment grounds.
He is not. Phillips presents a litany of issues in regard to his evaluations that fails to
persuade. For example, he asserts that there was an insufficient vein assessment. Both Ahmed
and Higginbotham testified that they fulfilled their protocol-derived duties and found useful
veins, and the evaluation records agree with both of them. Phillips disputes their version of the
events and in fact asserts that Ahmed expressly stated that he could not find useful veins.
Phillips then attacked the evaluators credibility with evidence that during the time that they
have been performing the required vein assessments, they have never found a problem with any
inmates veins.
The Court found Ahmed to be largely truthful and unnecessarily combative in his
testimony. In contrast, this Court found Phillips to be somewhat believable and not at all
combative in his testimony. Based on the testimony given and in light of Higginbothams
testimony and the documentary exhibits, the Court does not credit the testimony that Ahmed was
unable to find suitable veins and documented otherwise. There is no evidence that the evaluation
records were falsified or that Higginbotham missed hearing Ahmed express an inability to find
viable veins. But even if all of that is true, there is still the forthcoming vein assessments of
Phillips that would mitigate any risk of vein difficulty he might face. This is not to say that any
evaluation is unimportant or that any individual conducting an evaluation can do less than what
is required by the protocol. Rather, the Court is simply recognizing that even one hypothetically
flawed assessment does not necessarily amount to an Eighth Amendment issue, and there is no
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dispositive evidence of such a flawed assessment here.
Phillips next complains that there is no record of his having expressed a fear of needles.
The Court is not certain whether he expressed such a fear, but assuming arguendo that he did,
there is no evidence in this record that it would create a substantial risk of harm so as to present
an Eighth Amendment violation. At most, any failure to record this fear in the evaluation
records is yet another component of Phillips Ohio-cannot-be-trusted argument that speaks to his
equal protection issues.
The Court is notably concerned about Ahmeds perception of the purpose and scope of
the chart or file review. Phillips argues that Ahmeds review was flawed because it failed to
account for Risperdal, an anti-psychotic drug that Phillips previously took. Ahmed remained
adamant in his testimony that he did not err by failing to disclose this drug in his chart review.
He testified that the mental health evaluation should address prior use of the drug, and review of
the exhibits indicates that the 30-day mental health assessment did note that Phillips was taking
Risperdal in 1996.
It appears Ahmed is in need of retraining so that he understands that the chart review is
concerned with more than simply vein access issues. It also appears that his narrow
interpretation of the chart review is ultimately of no importance in the Eighth Amendment
context here. Phillips stipulation removed any interaction concerns that even the present day
use of the anti-psychotic drug in conjunction with the execution drugs would present, much less
use from nearly a decade ago. There is also no testimony as to how the prior or even current use
of the anti-psychotic drug could otherwise create a substantial risk of severe pain regardless of
the execution drugs utilized.
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Similarly, there is no evidence of any mental issue that coupled with an insufficient
mental health evaluation would present an Eighth Amendment problem. This of course does not
excuse any flawed mental assessment, but it does mitigate the constitutional importance of any
such assessment here.
Two final points need to be made. The first is specific to the mental health evaluation(s)
required under Section VI(B)(3)(f) of the protocol. This Court is convinced that Phillips and his
counsel are misreading this protocol provision. The crux of many of counsels questions and
argument on behalf of Phillips was that Defendants erred because they transferred him from one
cell to another without satisfying a demonstrated mental health need for the move obtained
through a Section VI(B)(3)(f) evaluation. But that provision of the protocol states that the
prisoner shall be evaluated by mental health staff to determine the prisoners appropriate
observation level, housing status and access to personal property. Nothing in that directive
limits a transfer to a Section VI(B)(3)(f) evaluation. Rather, prison management can transfer an
inmate for a good reason, a bad reason, or no reason wholly independent of Section VI(B)(3)(f).
The protocol provision simply mandates that there be an assessment to determine whether any of
three specified statuses or conditions should change due to a mental health reason. This renders
moot Phillips curious focus and arguments concerning why he was previously transferred, and it
obviates any Eighth Amendment or Fourteenth Amendment concerns related to that transfer.
The last point in need of mention is broader and pertains to the overlapping nature of
many of the arguments that Phillips makes. This Court is at times convinced that Phillips is
sloppily conflating Eighth Amendment issues and evidence with Fourteenth Amendment issues
and evidence. At other times the separate analyses necessarily overlap given that they can
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depend on evidence that informs both inquiries. Parsing the former from the latter is not
necessary here, because the Court has given Phillips the benefit of the doubt whenever possible.
Consequently, the Court recognizes that Phillips attack on the sufficiency of the evaluations can
be construed broadly to encompass another component of his equal protection argument. The
reasoning would be that if Defendants did not perform the required evaluations or performed
them less effectively than required by the protocol, then this amounts to one more example of
why Defendants cannot be trusted. As with the various dual purpose arguments noted above, the
Court shall also address this argument in Section II(C)(2) below.
C. Equal Protection
1. Applicable Law
Aside from the possible Eighth Amendment issue discussed in Section II(B) and from
Phillips invocation of the All Writs Act addressed in Section III, Phillips stay request is
predicated on his Equal Protection claim under 42 U.S.C. 1983. Section 1983 provides:
Every person who, under color of any statute, ordinance, regulation, custom, or
usage, of any State . . . subjects, or causes to be subjected, any citizen of the UnitedStates or other person within the jurisdiction thereof to the deprivation of any rights,
privileges, or immunities secured by the Constitution and laws, shall be liable to the
party injured in an action at law, suit in equity, or other proper proceeding for redress
. . . .
42 U.S.C. 1983. Thus, in order to prevail on his 1983 claim, Phillips must show that, while
acting under color of state law, Defendants deprived or will deprive him of a right secured by the
Federal Constitution or laws of the United States. See Alkire v. Irving, 330 F.3d 802, 813 (6th
Cir. 2003).
Similar to Wiles and Hartman before him, Phillips pleads that Defendants wholly
discretionary approach to their written execution protocol and their informal policies violates his
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right to equal protection under the law as guaranteed by the Fourteenth Amendment. He
contends that the protocol is facially invalid because it codifies disparate treatment of similarly
situated individuals without sufficient justification so as to be arbitrary, irrational, and
capricious.
As this Court has noted previously, the Sixth Circuit has explained the inquiry such an
argument necessitates:
The Equal Protection Clause of the Fourteenth Amendment commands that
no state shall deny to any person within its jurisdiction the equal protection of the
laws. U.S. Const. amend. XIV, 1. The Supreme Court has stated that this
language embodies the general rule that States must treat like cases alike but may
treat unlike cases accordingly. Radvansky v. City of Olmsted Falls, 395 F.3d 291,312 (6th Cir. 2005) (quoting Vacco, 521 U.S. at 799, 117 S.Ct. 2293). To establish
a claim for relief under the Equal Protection Clause, a plaintiff must demonstrate that
the government treated the plaintiff disparately as compared to similarly situated
persons and that such disparate treatment either burdens a fundamental right, targets
a suspect class, or has no rational basis. Id.; see also TriHealth, Inc.,430 F.3d at
788.
Club Italia Soccer & Sports Org., Inc. v. Charter Twp. of Shelby, Mich., 470 F.3d 286, 298 (6th
Cir. 2006). When the disparate treatment burdens a fundamental right, strict scrutiny applies.
Miller v. City of Cincinnati, 622 F.3d 524, 538 (6th Cir. 2010). What this means is that the state
action is permissible only if it is narrowly tailored to a compelling governmental interest. Cf.
Does v. Munoz, 507 F.3d 961, 964 (6th Cir. 2007).
One fundamental right involved in inmate claims such as that asserted by Phillips is the
right to be free from cruel and unusual punishment. Throughout this litigation, Defendants have
attempted to transform the Fourteenth Amendment claim into a pure Eighth Amendment claim.
But as this Court has previously explained, the equal protection claim sufficiently targets any
deviations that would at least burden an inmates fundamental rights. The burden could be by
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negating some of the precise procedural safeguards that this Court and the Sixth Circuit heralded
in prior discussions of Eighth Amendment claims in this same litigation. For present purposes, it
does not matter whether there is a qualifying substantial risk of severe harm, but only the
creation of unequal treatment impacting the fundamental protection involved. This Court
remains reluctant to hold that there can only be an equal protection violation when there is an
Eighth Amendment violation.
There is relatively little authority in regard to the burden on a fundamental right that
would warrant strict scrutiny here. The Ninth Circuit addressed a 1983 equal protection claim
that implicated similar analysis in Towery v. Brewer, 672 F.3d 650 (9th Cir. 2012). After
rejecting the argument that the state execution protocol at issue violated the Eighth Amendment
prohibition on cruel and unusual punishmenta protocol that affords significantly more
discretion than Ohios protocol doesthat court of appeals explained:
As we have already determined, the protocol as it will be implemented for
[plaintiffs] executions does not violate their right under the Eighth Amendment to
be free from cruel and unusual punishment. Where there is no Eighth Amendment
violation, the district court ruled, that necessarily means that there has been nointerference with fundamental rights sufficient to trigger strict scrutiny under the
Equal Protection Clause. See Mass. Bd. of Ret. v. Murgia,427 U.S. 307, 312, 96
S.Ct. 2562, 49 L.Ed.2d 520 (1976). We do not need to adopt this broad proposition
to conclude that given the ways the Director has chosen to exercise his discretion in
the upcoming executions, there has been no showing here of any burden on the right
to be free of cruel and unusual punishment.
Id.at *8. Thus, the Ninth Circuit expressly declined to adopt the proposition that burdens a
fundamental right means nothing less than a full violation of the fundamental right.
The Ninth Circuit explained:
[Plaintiffs] argue otherwise, relying onBush v. Gore,531 U.S. 98, 105, 121
S.Ct. 525, 148 L.Ed.2d 388 (2000). Urging that there is a distinction between state
action that violates a fundamental right and state action that merely burdens a
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fundamental right, they proffer that the latter was sufficient to trigger strict scrutiny
inBushand should also be here.
The right to vote, however, can be denied by a debasement or dilution of
the weight of a citizens vote just as effectively as by wholly prohibiting the free
exercise of the franchise. Id.(quotingReynolds v. Sims,377 U.S. 533, 555, 84S.Ct. 1362, 12 L.Ed.2d 506 (1964)). A prisoners right to be free of cruel and
unusual punishment, in contrast, is not affected simply because that prisoner is
treated less favorably than another, where one means of execution is no more likely
to create a risk of cruel and unusual punishment than the other, and both are
constitutionally available. Treating one similarly situated prisoner differently from
another with regard to punishment does not inherently impact the right to be free of
cruel and unusual punishment (although it might for other reasons violate the Equal
Protection Clause).
That is not to say that there could not be exercises of discretion that do
burden the right to be free of cruel and unusual punishment. The contrast with thelitigation surrounding Ohios lethal injection protocol, invoked by [plaintiffs] in
support of their fundamental rights Equal Protection argument, is instructive. In
those cases, plaintiffs were able to show an actual pattern of treating prisoners
differently in ways that did affect the riskof pain to which they would be subjected,
and therefore the riskof being subjected to cruel and unusual punishment. See In re
Ohio Execution Protocol Litig.,F.Supp.2d , , 2012 WL 84548, at *9
(S.D.Ohio Jan. 11, 2012), motion to vacate stay denied, F.3d at (6th
Cir.2012). Here, no such showing has been made, either generally or with respect
to the planned application of the protocol to [plaintiffs] executions. The
fundamental rights prong of Equal Protection analysis therefore cannot apply.
Id. This analysis continues to be instructive.
The prior deviations upon which various plaintiffs in this litigation previously focused
often were more likely to create a risk of cruel and unusual punishment than an execution
without the deviations and did affect the riskof pain to which they would be subjected, and
therefore the riskof being subjected to cruel and unusual punishment. Id. Many of the non-
core deviations eliminated the procedural safeguards upon which the Sixth Circuit and this Court
have expressly relied in the past in concluding that Ohios execution procedures survived Eighth
Amendment scrutiny. And the practice of core deviations that arose once again inLorraine
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undercuts the purported inability of Ohio to deviate from core deviations, pointing to at least a
burden on the fundamental right involved if not outright disregard of that right.
To require an Eighth Amendment violation would suggest a narrow perspective that
transforms the Equal Protection Clause into nothing more than a redundant backdoor route to the
Eighth Amendment. Cf. Special Programs, Inc. v. Courter, 923 F. Supp. 851, 855-56 (E.D. Va.
1996) (explaining that it is mere impingement upon, not impermissible interference with, the
exercise of a fundamental right that triggers strict scrutiny).
Most significantly, the Sixth Circuits express reliance on this Courts prior equal
protection analysis points to partial if not full agreement with this Courts rationale. See In re
Ohio Execution Protocol Litig., 671 F.3d 601, 602 (6th Cir. 2012).
Even if this Court is incorrect and no fundamental right is burdened here, however, there
is still the possibility of rational basis review. Like other plaintiffs, Phillips also asserts that he is
a class of one subject to treatment that burdens his fundamental rights in a manner that is not
rationally related in any way to a legitimate state interest. It is well settled that the Supreme
Court has recognized that a class-of-one may bring an equal protection claim where the
plaintiff alleges that: (1) he or she has been intentionally treated differently from others
similarly situated; and (2) there is no rational basis for the difference in treatment. United
States v. Green, 654 F.3d 637, 651 (6th Cir. 2011) (quoting Vill. of Willowbrook v. Olech,528
U.S. 562, 564 (2000)).
This Court has more than once noted its increasing concern about the vitality of a class-
of-one claim in this context; there are issues surrounding the first prong of the test. The Ninth
Circuits discussion of such a claim in Toweryperhaps provides some guidance, with the court of
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appeals explaining that
[a]bsent any pattern of generally exercising the discretion in a particular manner
while treating one individual differently anddetrimentally, there is no basis for
Equal Protection scrutiny under the class-of-one theory. In other words, the
existence of discretion, standing alone, cannot be an Equal Protection violation. Atthe very least, there must be some respect in which the discretion is being exercised
so that the complaining individual is being treated less favorably than others
generally are.
Towery, 672 F.3d at 660-61. Discretion alone is therefore not a problem, but the exercise of that
discretion in a detrimental manner would suggest a possible class-of-one claim.
Discretion has long been at issue in this litigation. Sometimes deviations occur and no
one can explain why or how they happened, as this Court has discussed numerous times in prior
orders. Sometimes deviations are intentional, as in the failed execution of Rommell Broom
when Defendants introduced a doctor into the execution proceedings who was not a member of
the execution team (a direct violation of the protocol) and who promptly attempted to start an IV
site only to hit the inmates ankle bone in the process before the doctor fled from the room (and
from a protocol violation that resulted in the infliction of pain by someone who was not
supposed to even be in the building, much less an ad hoc member of the execution team).
Broom was certainly treated intentionally differently than other inmates. Bringing in an
unhelpful doctor to assist was in violation of the protocol, and the result was the imposition of
pain caused by someone who should not have even been in the Death House under the version of
the protocol then in effect. The pattern of such deviations that past executions have revealed
does not render an inmates class-of-one claim ridiculous under this first prong.
The Sixth Circuit has explained the remaining prong of the class-of-one inquiry as
follows:
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Under the rational basis test, courts will not overturn government action unless the
varying treatment of different groups or persons is so unrelated to the achievement
of any combination of legitimate purposes that [the court] can only conclude that the
[governments] actions were irrational. Kimel v. Fla. Bd. of Regents, 528 U.S. 62,
84, 120 S.Ct. 631, 145 L.Ed.2d 522 (2000) (internal quotation marks and citation
omitted). There are two ways that a class-of-one plaintiff may demonstrate that
a government action lacks a rational basis: (1) showing pure arbitrariness by
negativing every conceivable basis that might support the governments decision; or
(2) showing an illegitimate motive such as animus or ill will. Warren v. City of
Athens, Ohio,411 F.3d 697, 711 (6th Cir. 2005).
Green, 654 F.3d at 651-52. Here, evidence has revealed a consistent pattern of arbitrary
deviations from the protocol. The only real explanation for this pattern is that Ohio was, at
times, trying to end an inmates life under any procedure that might accomplish the task. Such a
reason cannot suffice because it exists in every execution, as well as in every scenario in which a
rational basis test would apply: there is always an ultimate goal. Some of the deviations with
which this Court has dealt have failed to present a rational relationship to a legitimate state
interest.
Notably, the Ninth Circuit did not outright reject a class-of-one claim in Towery. Rather,
the court of appeals explained that under the specific circumstances presented, the claim was not
viable:
Even if we were to subject the protocols grant of discretion to the Director
to rational basis review, it would survive our consideration. It is rational for ADC
to conclude that the Director is best situated to select the execution team from those
available who meet the criteria listed in the protocol (assuming those criteria do not
themselves create a risk of harm greater than that tolerable under the Eighth
Amendment), or to decide that the Director should be the one to select which of the
four possible drug sequences to use, or to assign to the Director and the IV TeamLeader the task of selecting which IV site to use. It is entirely rational for these
determinations to be made on a case-by-case basis, as they may well depend on
individualized and changing factors such as the availability of particular people to
participate in the execution, the supply of drugs available to the State at a given time,
and the condition of the prisoners veins. The Equal Protection claim, as framed
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here, cannot succeed on the merits.
Towery, 672 F.3d at 661 (emphasis added).
Against this legal landscape, Phillips points to Ohios pattern of prior unintentional and
intentional deviations and argues that the state actors involved in carrying out Ohios protocol
neither understand the protocol requirements nor are able or willing to fulfill their roles under the
execution procedures. Similar to Wiles and Hartman before him, Phillips argues that the
demonstrated pattern of deviations that this litigation has so often addressed evinces a continuing
unwillingness or inability of Defendants to adhere to equal application of the protocol. In
contrast to these other plaintiffs, Phillips now adds to this argument the new protocol changes
and the evidence that Defendants have apparently once again changed their positions.
2. L ikeli hood of Success
Can Ohio now be trusted?
This Court began its Opinion and Order on the stay request of Mark Wiles with this
question. In re Ohio Execution Protocol Litigation (Wiles), 868 F. Supp. 2d 625, 626 (S.D. Ohio
2012). Now, just over nineteen months later, the question remains the dispositive issue in this
litigation.
Phillips argues that because Defendants cannot be trusted to apply the protocol as it is
written and in accordance with the unwritten, supportive policies and practices that they have
communicated to this Court throughout this litigation, he has a strong likelihood of succeeding
on his equal protection claim. To support this premise, Phillips offers two global arguments.
The first argument is that Defendants have either backpedaled on or previously deceived
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this Court regarding the fifth of the core components of the protocol from which there can be no
deviation. As noted, the addition of this component into the written protocol was a change;
previously, the fifth core component was an unwritten policy extrinsic to the actual docum
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